Recent Annual Filings for CBAN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,109,782,000 $137,241,000 $107,674,000 $31,944,000 $23,401,000 $23,153,000 $147,712,000
2023 $3,053,422,000 $124,916,000 $97,703,000 $32,544,000 $20,983,000 $80,413,000 $2,644,000
2022 $2,936,570,000 $91,490,000 $68,638,000 $-40,721,000 $49,741,000 $281,933,000 $-116,554,000
2021 $2,691,715,000 $70,586,000 $47,432,000 $5,701,000 $36,104,000 $185,954,000 $13,726,000
2020 $1,763,974,000 $63,125,000 $48,495,000 $18,234,000 $-19,094,000 $228,774,000 $79,414,000
2019 $1,515,313,000 $60,483,000 $47,874,000 $18,763,000 $3,933,000 $33,257,000 $43,936,000
2018 $1,251,878,468 $49,022,146 $34,104,476 $10,219,259 $14,911,237 $-3,255,863 $-12,768,260
2017 $1,232,755,317 $45,916,423 $31,387,992 $7,349,464 $12,545,135 $14,609,043 $-5,676,968